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An established industry player is seeking a Treasury Analyst to join their dynamic Treasury team. In this analytical role, you will ensure accurate cash management activities while aligning local Treasury operations with Group Treasury Policy. Your expertise in advanced Excel and process management will be crucial as you handle intercompany funding, FX settlements, and daily reconciliations. This role offers a fantastic opportunity to enhance your skills in a supportive environment where collaboration with various internal stakeholders is key. If you're ready to take the next step in your career with a competitive salary and attractive benefits, this opportunity is perfect for you.
I am recruiting a brand new Treasury Analyst for a well-respected large multinational business.
This is a highly analytical role reporting into the Treasury Manager. Working closely within the Treasury team, this role is responsible for ensuring the Treasury activities are performed in an accurate and timely manner.
You will support the cash management activities for the trading entities, ensuring that performance is to a high standard and all controls are adhered to. You will be responsible for making sure all local Treasury activities are aligned to Group Treasury Policy.
You will be expected to be in the office 2-3 days a week, and on offer is a competitive salary, attractive employer pension contribution, and bonus.
Please apply today to secure this fantastic new opportunity!
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